SHB 2793 -
By Representative Dunshee
Strike everything after the enacting clause and insert the following:
NEW SECTION. Sec. 101 This act shall be known as the 2012 jobs
now act.
NEW SECTION. Sec. 201 For the purpose of providing funds to
finance the projects described and authorized by the legislature in the
capital and operating appropriations acts for the 2011-2013 fiscal
biennium, and all costs incidental thereto, the state finance committee
is authorized to issue general obligation bonds of the state of
Washington in the sum of four hundred ninety-six million three hundred
thirty-two thousand dollars, or as much thereof as may be required, to
finance these projects and all costs incidental thereto. Bonds
authorized in this section may be sold at such price as the state
finance committee shall determine. No bonds authorized in this section
may be offered for sale without prior legislative appropriation of the
net proceeds of the sale of the bonds.
NEW SECTION. Sec. 202 (1) The proceeds from the sale of the
bonds authorized in section 201 of this act shall be deposited in the
state building construction account created by RCW 43.83.020. The
proceeds shall be transferred as follows: Four hundred ninety-one
million four hundred eighteen thousand dollars to remain in the state
building construction account created by RCW 43.83.020. Moneys in the
account may be spent only after appropriation.
(2) These proceeds shall be used exclusively for the purposes
specified in this section and for the payment of expenses incurred in
the issuance and sale of the bonds issued for the purposes of this
section, and shall be administered by the office of financial
management subject to legislative appropriation.
NEW SECTION. Sec. 203 (1) The debt-limit general fund bond
retirement account shall be used for the payment of the principal of
and interest on the bonds authorized in section 202(1) of this act.
(2) The state finance committee shall, on or before June 30th of
each year, certify to the state treasurer the amount needed in the
ensuing twelve months to meet the bond retirement and interest
requirements on the bonds authorized in section 202(1) of this act.
(3) On each date on which any interest or principal and interest
payment is due on bonds issued for the purposes of section 202(1) of
this act, the state treasurer shall withdraw from any general state
revenues received in the state treasury and deposit in the debt-limit
general fund bond retirement account an amount equal to the amount
certified by the state finance committee to be due on the payment date.
NEW SECTION. Sec. 204 (1) Bonds issued under sections 201
through 203 of this act shall state that they are a general obligation
of the state of Washington, shall pledge the full faith and credit of
the state to the payment of the principal thereof and the interest
thereon, and shall contain an unconditional promise to pay the
principal and interest as the same shall become due.
(2) The owner and holder of each of the bonds or the trustee for
the owner and holder of any of the bonds may by mandamus or other
appropriate proceeding require the transfer and payment of funds as
directed in this section.
NEW SECTION. Sec. 205 The legislature may provide additional
means for raising moneys for the payment of the principal of and
interest on the bonds authorized in section 201 of this act, and
sections 202 and 203 of this act shall not be deemed to provide an
exclusive method for the payment.
NEW SECTION. Sec. 301
NEW SECTION. Sec. 302
(2) The state finance committee shall supervise and provide for the
sale, issuance, and retirement of the bonds authorized by this section
and sections 303 through 307 of this act in accordance with chapter
39.42 RCW. Bonds authorized by this section and sections 303 through
307 of this act shall be sold in the manner, at the time or times, in
one or more series, in amounts, and at the prices as the state finance
committee shall determine. No bonds may be offered for sale without
prior legislative appropriation of the net proceeds of the sale of the
bonds.
(3) The state finance committee may determine and include in any
resolution authorizing the issuance of any bonds authorized by this
section and sections 303 through 307 of this act such terms,
provisions, covenants, and conditions as it may deem appropriate in
order to assist with the marketing and sale of the bonds, confer rights
upon the owners of bonds, and safeguard rights of the owners of bonds,
including, among other things:
(a) Provisions that the bonds shall be payable solely from and
secured solely by the tax revenues received in the environmental
cleanup and restoration account and by amounts in the 2012 jobs act
credit enhancement reserve account created in section 401 of this act;
(b) The conditions that must be satisfied prior to the issuance of
any additional bonds that are to be payable from and secured by the tax
revenues received in the environmental cleanup and restoration account
on an equal basis with previously issued and outstanding bonds payable
from the tax revenues received in the environmental cleanup and
restoration account;
(c) Provisions regarding reserves and credit enhancement,
including, without limitation, the 2012 jobs act credit enhancement
reserve account created in section 401 of this act; and
(d) Whether bonds may be issued as tax-exempt bonds or must be
issued as taxable bonds under the applicable provisions of the federal
internal revenue code.
(4) Bond proceeds must be used exclusively for the purposes
specified in subsection (1) of this section.
NEW SECTION. Sec. 303
NEW SECTION. Sec. 304
NEW SECTION. Sec. 305
(2) The state finance committee must, on or before June 30th of
each year, certify to the state treasurer the amount needed in the
ensuing twelve months to meet the bond retirement and interest
requirements on the bonds authorized in section 302 of this act.
(3) On or before each date on which principal and interest payment
is due on bonds issued for the purposes of section 302 of this act, in
accordance with the bond proceedings, the state treasurer shall
withdraw from any tax revenues placed in the environmental cleanup and
restoration account and deposit in the environmental cleanup and
restoration bond retirement account an amount equal to the amount
certified by the state finance committee to be due on the bond payment
date. If the amount of tax revenues on deposit in the environmental
cleanup and restoration account is insufficient to make the bond
payment amount then due, the state treasurer shall withdraw from the
2012 jobs act credit enhancement reserve account and deposit in the
environmental cleanup and restoration bond retirement account the
additional amount required to provide sufficient funds for the bond
payment amount then due.
NEW SECTION. Sec. 306
NEW SECTION. Sec. 307
Sec. 308 RCW 82.21.030 and 1989 c 2 s 10 are each amended to read
as follows:
(2) Moneys collected under this chapter shall be deposited ((in the
toxics control accounts under RCW 70.105D.070)) into the environmental
cleanup and restoration account in section 306 of this act.
(3) Chapter 82.32 RCW applies to the tax imposed in this chapter.
The tax due dates, reporting periods, and return requirements
applicable to chapter 82.04 RCW apply equally to the tax imposed in
this chapter.
Sec. 309 RCW 70.105D.070 and 2011 1st sp.s. c 50 s 964 are each
reenacted and amended to read as follows:
(1) The state toxics control account and the local toxics control
account are hereby created in the state treasury.
(2) The following moneys shall be deposited into the state toxics
control account: (a) Those revenues which are raised by the tax
imposed under RCW 82.21.030 ((and which are attributable to that
portion of the rate equal to thirty-three one-hundredths of one
percent)) and are transferred from the environmental cleanup and
restoration account into the state toxics control account under section
306 of this act; (b) the costs of remedial actions recovered under this
chapter or chapter 70.105A RCW; (c) penalties collected or recovered
under this chapter; and (d) any other money appropriated or transferred
to the account by the legislature. Moneys in the account may be used
only to carry out the purposes of this chapter, including but not
limited to the following activities:
(i) The state's responsibility for hazardous waste planning,
management, regulation, enforcement, technical assistance, and public
education required under chapter 70.105 RCW;
(ii) The state's responsibility for solid waste planning,
management, regulation, enforcement, technical assistance, and public
education required under chapter 70.95 RCW;
(iii) The hazardous waste cleanup program required under this
chapter;
(iv) State matching funds required under the federal cleanup law;
(v) Financial assistance for local programs in accordance with
chapters 70.95, 70.95C, 70.95I, and 70.105 RCW;
(vi) State government programs for the safe reduction, recycling,
or disposal of hazardous wastes from households, small businesses, and
agriculture;
(vii) Hazardous materials emergency response training;
(viii) Water and environmental health protection and monitoring
programs;
(ix) Programs authorized under chapter 70.146 RCW;
(x) A public participation program, including regional citizen
advisory committees;
(xi) Public funding to assist potentially liable persons to pay for
the costs of remedial action in compliance with cleanup standards under
RCW 70.105D.030(2)(e) but only when the amount and terms of such
funding are established under a settlement agreement under RCW
70.105D.040(4) and when the director has found that the funding will
achieve both (A) a substantially more expeditious or enhanced cleanup
than would otherwise occur, and (B) the prevention or mitigation of
unfair economic hardship;
(xii) Development and demonstration of alternative management
technologies designed to carry out the hazardous waste management
priorities of RCW 70.105.150;
(xiii) During the 2009-2011 and 2011-2013 fiscal biennia, shoreline
update technical assistance;
(xiv) During the 2009-2011 fiscal biennium, multijurisdictional
permitting teams; and
(xv) During the 2011-2013 fiscal biennium, actions for reducing
public exposure to toxic air pollution.
(3) The following moneys shall be deposited into the local toxics
control account: Those revenues which are raised by the tax imposed
under RCW 82.21.030 ((and which are attributable to that portion of the
rate equal to thirty-seven one-hundredths of one percent)) and are
transferred to the local toxics control account under section 306 of
this act.
(a) Moneys deposited in the local toxics control account shall be
used by the department for grants or loans to local governments for the
following purposes in descending order of priority:
(i) Remedial actions;
(ii) Hazardous waste plans and programs under chapter 70.105 RCW;
(iii) Solid waste plans and programs under chapters 70.95, 70.95C,
70.95I, and 70.105 RCW;
(iv) Funds for a program to assist in the assessment and cleanup of
sites of methamphetamine production, but not to be used for the initial
containment of such sites, consistent with the responsibilities and
intent of RCW 69.50.511; and
(v) Cleanup and disposal of hazardous substances from abandoned or
derelict vessels, defined for the purposes of this section as vessels
that have little or no value and either have no identified owner or
have an identified owner lacking financial resources to clean up and
dispose of the vessel, that pose a threat to human health or the
environment.
(b) Funds for plans and programs shall be allocated consistent with
the priorities and matching requirements established in chapters
70.105, 70.95C, 70.95I, and 70.95 RCW, except that any applicant that
is a Puget Sound partner, as defined in RCW 90.71.010, along with any
project that is referenced in the action agenda developed by the Puget
Sound partnership under RCW 90.71.310, shall, except as conditioned by
RCW 70.105D.120, receive priority for any available funding for any
grant or funding programs or sources that use a competitive bidding
process. During the 2007-2009 fiscal biennium, moneys in the account
may also be used for grants to local governments to retrofit public
sector diesel equipment and for storm water planning and implementation
activities.
(c) To expedite cleanups throughout the state, the department shall
partner with local communities and liable parties for cleanups. The
department is authorized to use the following additional strategies in
order to ensure a healthful environment for future generations:
(i) The director may alter grant-matching requirements to create
incentives for local governments to expedite cleanups when one of the
following conditions exists:
(A) Funding would prevent or mitigate unfair economic hardship
imposed by the clean-up liability;
(B) Funding would create new substantial economic development,
public recreational, or habitat restoration opportunities that would
not otherwise occur; or
(C) Funding would create an opportunity for acquisition and
redevelopment of vacant, orphaned, or abandoned property under RCW
70.105D.040(5) that would not otherwise occur;
(ii) The use of outside contracts to conduct necessary studies;
(iii) The purchase of remedial action cost-cap insurance, when
necessary to expedite multiparty clean-up efforts.
(d) To facilitate and expedite cleanups using funds from the local
toxics control account, during the 2009-2011 fiscal biennium the
director may establish grant-funded accounts to hold and disperse local
toxics control account funds and funds from local governments to be
used for remedial actions.
(4) Except for unanticipated receipts under RCW 43.79.260 through
43.79.282, moneys in the state and local toxics control accounts may be
spent only after appropriation by statute.
(5) Except during the 2009-2011 fiscal biennium, one percent of the
moneys deposited into the state and local toxics control accounts shall
be allocated only for public participation grants to persons who may be
adversely affected by a release or threatened release of a hazardous
substance and to not-for-profit public interest organizations. The
primary purpose of these grants is to facilitate the participation by
persons and organizations in the investigation and remedying of
releases or threatened releases of hazardous substances and to
implement the state's solid and hazardous waste management priorities.
No grant may exceed sixty thousand dollars. Grants may be renewed
annually. Moneys appropriated for public participation from either
account which are not expended at the close of any biennium shall
revert to the state toxics control account.
(6) No moneys deposited into either the state or local toxics
control account may be used for solid waste incinerator feasibility
studies, construction, maintenance, or operation, or, after January 1,
2010, for projects designed to address the restoration of Puget Sound,
funded in a competitive grant process, that are in conflict with the
action agenda developed by the Puget Sound partnership under RCW
90.71.310.
(7) The department shall adopt rules for grant or loan issuance and
performance.
(8) ((During the 2007-2009 and 2009-2011 fiscal biennia, the
legislature may transfer from the local toxics control account to
either the state general fund or the oil spill prevention account, or
both such amounts as reflect excess fund balance in the account.)) During the 2011-2013 fiscal biennium, the local toxics
control account may also be used for local government shoreline update
grants and actions for reducing public exposure to toxic air pollution.
(9) During the 2009-2011 fiscal biennium, the local toxics control
account may also be used for a standby rescue tug at Neah Bay, local
government shoreline update grants, private and public sector diesel
equipment retrofit, and oil spill prevention, preparedness, and
response activities.
(10) During the 2009-2011 fiscal biennium, the legislature may
transfer from the state toxics control account to the state general
fund such amounts as reflect the excess fund balance in the account.
(11)
(9) During the 2011-2013 fiscal biennium, the legislature may
transfer from the local toxics control account to the 2012 jobs act
credit enhancement reserve account such amounts as reflect the excess
fund balance of the account.
NEW SECTION. Sec. 401
(2) The 2012 jobs act credit enhancement reserve account
constitutes a reserve account for limited tax obligation bonds issued
by the state pursuant to section 302 of this act. The amount on
deposit in the 2012 jobs act credit enhancement reserve account shall
be maintained in an amount equal to maximum annual debt service on all
outstanding bonds secured thereby or in such other amount as may be
required by the bond proceedings. Any withdrawal from the 2012 jobs
act credit enhancement reserve account to pay debt service on bonds
secured thereby shall be replenished within six months after the
withdrawal or in such other manner as may be required by the bond
proceedings by transfers from the public works assistance account
required by section 402 of this act.
(3) By July 1st of each year, the state treasurer must transfer
sufficient amounts from loan repayment revenues received in the public
works assistance account under RCW 43.155.060(1) to the 2012 jobs act
credit enhancement reserve account so that the account balance is equal
to the sum of the amounts certified in section 305 of this act.
Sec. 402 RCW 43.155.050 and 2011 1st sp.s. c 50 s 951 are each
amended to read as follows:
(2) Money in the public works assistance account shall be used to
make loans and to give financial guarantees to local governments for
public works projects.
(3) Repayments of loans made under this chapter must be deposited
in the public works assistance account. Moneys in the account received
from loan repayments under RCW 43.155.060(1) also must be transferred
to the 2012 jobs act credit enhancement reserve account as required to
maintain a balance therein as provided by section 401 of this act and
to secure payment of debt service on limited tax obligation bonds
issued by the state under this act in accordance with the bond
proceedings. The legislature pledges to continue and maintain and not
to impair the statutory and financial framework contained in this act
and in this chapter to provide loan repayments under RCW 43.155.060(1)
and to fund transfers to the 2012 jobs act credit enhancement reserve
account as required to secure payment of debt service on limited tax
obligation bonds issued by the state under this act in accordance with
the bond proceedings. The legislature further pledges to continue to
use amounts held in the public works assistance account to make loans
to local governments for public works projects in a manner that is
reasonably calculated to produce loan repayments in amounts at least
sufficient to meet the requirements of this subsection (3) in
accordance with the bond proceedings.
(4) Moneys in the account may also be appropriated or transferred
to provide for state match requirements under federal law for projects
((and activities conducted and financed by the board under)) funded by
the drinking water assistance account and the water pollution control
revolving account.
(5) Not more than fifteen percent of the biennial capital budget
appropriation to the public works board from this account may be
expended or obligated for preconstruction loans, emergency loans, or
loans for capital facility planning under this chapter; of this amount,
not more than ten percent of the biennial capital budget appropriation
may be expended for emergency loans and not more than one percent of
the biennial capital budget appropriation may be expended for capital
facility planning loans. ((For the 2007-2009 biennium, moneys in the
account may be used for grants for projects identified in section 138,
chapter 488, Laws of 2005 and section 1033, chapter 520, Laws of 2007.
During the 2009-2011 fiscal biennium, sums in the public works
assistance account may be used for the water pollution control
revolving fund program match in section 3013, chapter 36, Laws of 2010
1st sp. sess. During the 2009-2011 fiscal biennium, the legislature
may transfer from the job development fund to the general fund such
amounts as reflect the excess fund balance of the fund.)) During the
2011-2013 fiscal biennium, the legislature may transfer from the public
works assistance account to the general fund((, the water pollution
control revolving account, and the drinking water assistance account))
and the 2012 jobs act credit enhancement reserve account such amounts
as reflect the excess fund balance of the account.
NEW SECTION. Sec. 403
NEW SECTION. Sec. 501 FOR THE DEPARTMENT OF COMMERCE
Energy Efficiency Grants for Local Governments (91000241)
The appropriation in this section is subject to the following
conditions and limitations:
(1) The appropriation in this section is provided solely for grants
to local agencies for operational cost savings improvements to local
agency facilities and related projects that result in energy and
operational cost savings. Related projects are those projects that
must be completed in order for the energy efficiency improvements to be
effective. Grants may also be used for loan interest payments over the
term of a loan.
(2) The community services and housing division within the
department of commerce, in consultation with the department of
enterprise services, and the Washington State University energy program
shall establish a competitive process to solicit and evaluate
applications from local agencies. Final grant awards shall be
determined by the department of commerce.
(3) For the purposes of this section:
(a) "Cost-effectiveness" means that the present value to the local
agency of the energy reasonably expected to be saved or produced by a
facility, activity, measure, or piece of equipment over its useful
life, including any compensation received from a utility or the
Bonneville power administration, is greater than the net present value
of the costs of implementing, maintaining, and operating such facility,
activity, measure, or piece of equipment over its useful life, when
discounted at the cost of public borrowing.
(b) "Energy equipment" means energy management systems and any
equipment, materials, or supplies that are expected, upon installation,
to reduce the energy use or energy cost of an existing building or
facility, and the services associated with the equipment, materials, or
supplies, including, but not limited to, design, engineering,
financing, installation, project management, guarantees, operations,
and maintenance. Reduction in energy use or energy cost may also
include reductions in the use or cost of water, wastewater, or solid
waste.
(c) "Energy cost savings" means savings realized in expenses for
energy use and expenses associated with water, wastewater, or solid
waste systems.
(d) "Energy savings performance contracting" means the process
authorized by chapter 39.35C RCW by which a company contracts with a
local agency to conduct energy audits and guarantee energy savings from
energy efficiency.
(e) "Operational cost savings" means savings realized from parts,
service fees, capital renewal costs, and other measurable annual
expenses to maintain and repair systems. This definition does not mean
labor savings related to existing facility staff.
(f) "Public facilities" means buildings, building components, and
major equipment or systems owned by local agencies.
(g) "Local agency" means any city and any town, county, special
district, municipal corporation, agency, port district or authority, or
political subdivision of any type, or any other entity or authority of
local government in corporate form or otherwise.
(4) Grants must be awarded in competitive rounds, based on demand
and capacity, with at least ten percent of each competitive grant round
awarded to small cities or towns with a population of fewer than five
thousand residents.
(5) In order to be eligible for energy efficiency grants under this
section, applicants must complete an investment grade audit, or an
equivalent, prior to submitting an application for funding.
(6) Within each competitive round, projects must be weighted and
prioritized based on the following criteria and in the following order:
(a) Leverage ratio: In each round, the higher the leverage ratio
of nonstate funding sources to state grant, the higher the project
ranking.
(b) Energy savings: In each round, the higher the energy savings,
the higher the project ranking. Applicants must submit documentation
that demonstrates energy and operational cost savings resulting from
the installation of the energy equipment and improvements. The energy
savings analysis shall be performed by a licensed engineer, and the
documentation must include but is not limited to the following:
(i) A description of the energy equipment and improvements; and
(ii) A description of the energy and operational cost savings.
(c) Expediency of expenditure: Project readiness to spend funds
must be prioritized so that the legislative intent to expend funds
quickly is met.
(7) Projects that do not use energy savings performance contracting
must: (a) Verify energy and operational cost savings for ten years or
until the energy and operational costs savings pay for the project,
whichever is shorter; (b) follow the department of enterprise services
energy savings performance contracting project guidelines; and (c)
employ a licensed engineer for the energy audit and construction. The
department of commerce may require third-party verification of savings
if a project is not implemented by an energy savings performance
contractor selected by the department of enterprise services through
the request of qualifications process. Third-party verification must
be conducted either by an energy savings performance contractor
selected by the department of enterprise services through a request for
qualifications, a licensed engineer that is a certified energy manager,
or a project resource conservation manager.
(8) To intensify competition, the department of commerce may only
award funds to the top eighty-five percent of projects applying in a
round until the department of commerce determines a final round is
appropriate. Projects that do not receive a grant award in one round
may reapply in subsequent rounds.
(9) Grant amounts awarded to each project must allow for the
maximum number of projects funded with the greatest energy and cost
benefit.
(10) The department of commerce may charge projects administrative
fees and may pay the department of enterprise services, and the
Washington State University energy program administration fees in an
amount determined through a memorandum of understanding.
(11) The department of commerce and the department of enterprise
services must submit a joint report to the appropriate committees of
the legislature and the office of financial management on the timing
and use of the grant funds, program administrative function, compliance
with apprenticeship utilization requirements in RCW 39.04.320,
compliance with prevailing wage requirements, and administration fees
by the end of each fiscal year, until the funds are fully expended and
all savings verification requirements are fulfilled.
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $18,000,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $18,000,000
NEW SECTION. Sec. 502 FOR THE DEPARTMENT OF COMMERCE
2012 Local and Community Projects (91000417)
The appropriations in this section are subject to the following
conditions and limitations:
(1) Except as directed otherwise prior to the effective date of
this section, the department shall not expend the appropriations in
this section unless and until the nonstate share of project costs have
been either expended, or firmly committed, or both, in an amount
sufficient to complete the project or a distinct phase of the project
that is useable to the public for the purpose intended by the
legislature.
(2) Prior to receiving funds, project recipients must demonstrate
that the project site is under control for a minimum of ten years,
either through ownership or a long-term lease. This requirement does
not apply to appropriations for preconstruction activities or
appropriations whose sole purpose is to purchase real property that
does not include a construction or renovation component.
(3) Projects funded in this section may be required to comply with
Washington's high performance building standards as required by chapter
39.35D RCW.
(4) Project funds are available on a reimbursement basis only, and
shall not be advanced under any circumstances.
(5) Projects funded in this section must be held by the recipient
for a minimum of ten years and used for the same purpose or purposes
intended by the legislature as required in RCW 43.63A.125(6).
(6) Projects funded in this section, including those that are owned
and operated by nonprofit organizations, are generally required to pay
state prevailing wages.
(7) The appropriation is provided solely for the following list of
projects:
Project | Authorized Amount |
Clark County Family YMCA Building Remodel | $1,500,000 |
Columbia Valley Community Health Center Chelan Clinic Expansion | $500,000 |
Covington Aquatics Center Roof Replacement and Related Construction | $400,000 |
Drug Abuse Prevention Center | $61,000 |
El Centro de la Raza Life Safety Seismic Retrofit | $408,000 |
Everett Medical Clinic | $250,000 |
Five Mile Lake Park Improvements | $500,000 |
Life Support | $2,000,000 |
Roslyn Northwest Improvement Building | $1,035,000 |
Santos Place | $525,000 |
Sprague Emergency Response Center | $339,000 |
Star Center - SERA Campus | $2,640,000 |
Total | $10,158,000 |
NEW SECTION. Sec. 503 FOR THE DEPARTMENT OF COMMERCE
Connell Klindworth Water Line Distribution (91000318)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $540,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $540,000
NEW SECTION. Sec. 504 FOR THE DEPARTMENT OF COMMERCE
CERB Administered Economic Development, Innovation & Export Grants
(92000096)
The appropriation in this section is subject to the following
conditions and limitations: The appropriation in this section is
provided solely for economic development projects administered by the
community economic revitalization board (board).
(1) The board may allocate up to twenty-five percent of the amounts
for projects specified in subsection (3) of this section to grants
awarded on a competitive basis if, upon further review of the specified
projects, the cost of the projects is less than originally assumed or
other nonstate funds become available. If specified projects have not
met the requirements for executing a contract with the department by
April 30, 2013, the board may allocate the amount specified to
additional grants awarded on a competitive basis provided that the
grant awardee is ready to proceed with the project. Any competitive
grants shall follow the priorities of subsection (2) of this section.
(2) Any amounts that become available through reallocations
authorized in subsection (1) of this section shall be administered by
the community economic revitalization board (board). The intent of the
program is to provide grants to local governments and innovation
partnership zones for public infrastructure, facilities, and related
improvements that enable and encourage private sector business creation
or expansion. The board shall establish all grant application
requirements and shall prioritize grants by considering at a minimum
the following criteria:
(a) The number of jobs created by the expected business creation or
expansion and the average wage of those expected jobs. In evaluating
proposals for their job creation potential, the board may adjust the
job estimates in applications based on the board's judgment of the
credibility of the job estimates;
(b) The board shall also consider the need for job creation based
on the unemployment rate of the county or counties in which the project
is located. In evaluating the average wages of the jobs created, the
board shall compare those wages to median wages of private sector jobs
in the county or counties surrounding the project location;
(c) When evaluating the jobs created by the project, the board may
consider the area labor supply and readily available skill sets of the
labor pool in the county or counties surrounding the project location;
(d) How the expected business creation or expansion fits within the
region's preferred economic growth strategy as indicated by the efforts
of nearby innovation partnership zones, industry clusters as defined by
the Washington Economic Development Commission, future export
prospects, or local government equivalent if available;
(e) The speed with which the project can begin construction;
(f) The extent that the final list of grant awards provides broad
geographic distribution, leverages nonstate funds, and achieves overall
the greatest benefit in job creation at good wages for the amount of
money provided;
(g) In no event shall the board award a grant that supplants
previously committed project resources.
(3) $17,263,000 of the appropriation is provided solely for the
following projects:
Project | Authorized Amount |
Chelatchee Prarie RR Project | $500,000 |
Trans Alta Industrial Park Infrastructure | $998,000 |
Lakehaven Utility Dist/Federal Way Sewer Project | $1,000,000 |
Renton Aerospace Center | $2,500,000 |
NE Redevelopment Area - Storm Water Facilities | $3,500,000 |
Satsop Wastewater Improvements | $1,665,000 |
WA Aerospace Training & Research Center Expansion | $1,500,000 |
Infrastructure for NW Friberg Development in Camas | $3,000,000 |
Port of Quincy Industrial Park No. 6 Infrastructure | $1,100,000 |
Federal Way Sewer Line | $1,500,000 |
Total | $17,263,000 |
NEW SECTION. Sec. 505 FOR THE DEPARTMENT OF COMMERCE
Main Street Improvement Grants (92000098)
The appropriation in this section is subject to the following
conditions and limitations: The appropriation in this section is
provided solely for main street improvement projects administered by
the public works board (board).
(1) The board may allocate up to twenty-five percent of the amounts
for specified projects in subsection (3) of this section to other
specified project or to grants awarded on a competitive basis if, upon
further review of the specified projects, the cost of the projects is
less than originally assumed or other nonstate funds become available.
If specified projects have not met the requirements for executing a
contract with the department by April 30, 2013, the board may allocate
the amount specified to additional grants awarded on a competitive
basis provided that the grant awardee is ready to proceed with the
project. Any competitive grants shall be awarded based on the
priorities specified in subsection (2) of this section.
(2) Any amounts that become available for a competitive main street
improvement grant program shall be administered by the board with
consultation with the department of archaeology and historic
preservation. The intent of the program is to provide grants to local
governments for public infrastructure, facilities, and related
improvements that enhance the vitality and livability of the community.
The board shall establish all grant application requirements and shall
prioritize grants by considering at a minimum the following criteria:
(a) The value of the project to the community. In evaluating the
value of the project, the board shall, at a minimum, consider the
difficulty the applicant has in financing main street improvement
projects with their own local resources and the extent the project will
increase economic activity for existing businesses, improve safety and
enjoyment of pedestrians and bicyclists, enhance in-city recreational
opportunities, and revitalize downtown business districts.
(b) The extent to which businesses and local governments in the
affected area support the project;
(c) Whether or not the project is in the local government's adopted
capital facility plan, comprehensive plan, or equivalent. Additional
consideration is given to projects located within one of the
aforementioned plans;
(d) The extent to which the project promotes infill and
redevelopment of the downtown area;
(e) The speed with which the project can begin construction;
(f) The extent that the final list of grant awards provides broad
geographic distribution, leverages nonstate funds, and achieves overall
the greatest benefit for the amount of money provided;
(g) The extent to which the applicant demonstrates the ability to
maintain the project funded through the grant program;
(h) In no event shall the board award a grant that supplants
previously committed project resources.
(3) $17,350,000 is provided solely for the following list of
projects:
Project | Authorized Amount |
Bay Street Pedestrian Path | $500,000 |
Downtown Longview Corridor Project | $500,000 |
Edmonds Main Street Project | $500,000 |
La Conner Boardwalk | $750,000 |
Cushman Phase 4 | $1,200,000 |
Kendall Yards Public Infrastructure | $2,000,000 |
Pacific Ave Streetscape Improvements | $3,000,000 |
University District Pedestrian/Bike | $3,200,000 |
Bridge Design & Acquisition Cross Kirkland Corridor | $2,000,000 |
Meydenbauer Development | $2,000,000 |
Main Street Edmonds | $500,000 |
Everett Parks Roofs | $400,000 |
Scriber Creek Pedestrian Bridge | $800,000 |
Total | $17,350,000 |
NEW SECTION. Sec. 506 FOR THE DEPARTMENT OF COMMERCE
Brownfield Redevelopment Grants (92000100)
The appropriation in this section is subject to the following
conditions and limitations: The appropriation in this section is
provided solely for the redevelopment of the Bellingham waterfront.
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $1,500,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $1,500,000
NEW SECTION. Sec. 507 FOR THE DEPARTMENT OF COMMERCE
Port and Export Related Infrastructure (92000102)
The appropriation in this section is subject to the following
conditions and limitations: The appropriation in this section is
provided solely for the following list of projects. The department may
allocate up to twenty-five percent of the amounts for specified
projects to other specified project or to additional grants awarded on
a competitive basis if, upon further review of the specified projects,
the cost of the projects is less than originally assumed or other
nonstate funds become available. If specified projects have not met
the requirements for executing a contract with the department by April
30, 2013, the department may allocate the amount specified to
additional grants awarded on a competitive basis provided that the
grant awardee is ready to proceed with the project.
Project | Authorized Amount |
Benton - Railroad Bridge Replacement | $2,200,000 |
Camas Washougal - Steigerwald Commerce Center Development | $1,500,000 |
Columbia - Blue Mountain Station Site | $750,000 |
Pasco - Heritage Industrial Rail Extension | $1,800,000 |
Pasco - Rail Hub Development - Phase 5 | $1,400,000 |
Skamania - Access Road | $650,000 |
Skamania - Water and Wastewater System | $350,000 |
Tacoma - Puyallup River Bridge Replacement | $7,000,000 |
Vancouver - Centennial Industrial Park Infrastructure | $5,750,000 |
Walla Walla - Infrastructure for Warehouse Project | $2,750,000 |
Tacoma - South Lead Rail | $5,000,000 |
Speed Improvements for Short Line Rail for Agricultural Exports | $7,000,000 |
Total | $36,150,000 |
NEW SECTION. Sec. 508 FOR THE DEPARTMENT OF COMMERCE
Energy Efficiency Grants For Higher Education (91000242)
The appropriation in this section is subject to the following
conditions and limitations:
(1) The appropriation in this section is provided solely for grants
to public higher education institutions for operational cost savings
improvements to higher education facilities and related projects that
result in energy and operational cost savings. Related projects are
those projects that must be completed in order for the energy
efficiency improvements to be effective. Grants may also be used for
loan interest payments over the term of a loan.
(2) The community services and housing division within the
department of commerce, in consultation with the department of
enterprise services, and the Washington State University energy program
shall establish a competitive process to solicit and evaluate
applications from public higher education institutions. Final grant
awards shall be determined by the department of commerce.
(3) For the purposes of this section:
(a) "Cost-effectiveness" means that the present value to the higher
education institution of the energy reasonably expected to be saved or
produced by a facility, activity, measure, or piece of equipment over
its useful life, including any compensation received from a utility or
the Bonneville power administration, is greater than the net present
value of the costs of implementing, maintaining, and operating such
facility, activity, measure, or piece of equipment over its useful
life, when discounted at the cost of public borrowing.
(b) "Energy equipment" means energy management systems and any
equipment, materials, or supplies that are expected, upon installation,
to reduce the energy use or energy cost of an existing building or
facility, and the services associated with the equipment, materials, or
supplies, including, but not limited to, design, engineering,
financing, installation, project management, guarantees, operations,
and maintenance. Reduction in energy use or energy cost may also
include reductions in the use or cost of water, wastewater, or solid
waste.
(c) "Energy cost savings" means savings realized in expenses for
energy use and expenses associated with water, wastewater, or solid
waste systems.
(d) "Energy savings performance contracting" means the process
authorized by chapter 39.35C RCW by which a company contracts with a
public agency to conduct energy audits and guarantee energy savings
from energy efficiency.
(e) "Operational cost savings" means savings realized from parts,
service fees, capital renewal costs, and other measurable annual
expenses to maintain and repair systems. This definition does not mean
labor savings related to existing facility staff.
(f) "Public facilities" means buildings, building components, and
major equipment or systems owned by public higher education
institutions.
(4) Grants must be awarded in competitive rounds, based on demand
and capacity.
(5) In order to be eligible for energy efficiency grants under this
section, applicants must complete an investment grade audit, or an
equivalent, prior to submitting an application for funding.
(6) Within each competitive round, projects must be weighted and
prioritized based on the following criteria and in the following order:
(a) Leverage ratio: In each round, the higher the leverage ratio
of nonstate funding sources to state grant, the higher the project
ranking.
(b) Energy savings: In each round, the higher the energy savings,
the higher the project ranking. Applicants must submit documentation
that demonstrates energy and operational cost savings resulting from
the installation of the energy equipment and improvements. The energy
savings analysis shall be performed by a licensed engineer, and the
documentation must include, but is not limited to, the following:
(i) A description of the energy equipment and improvements; and
(ii) A description of the energy and operational cost savings.
(c) Expediency of expenditure: Project readiness to spend funds
must be prioritized so that the legislative intent to expend funds
quickly is met.
(7) Projects that do not use energy savings performance contracting
must: (a) Verify energy and operational cost savings for ten years or
until the energy and operational costs savings pay for the project,
whichever is shorter; (b) follow the department of enterprise services
energy savings performance contracting project guidelines; and (c)
employ a licensed engineer for the energy audit and construction. The
department of commerce may require third-party verification of savings
if a project is not implemented by an energy savings performance
contractor selected by the department of enterprise services through
the request of qualifications process. Third-party verification must
be conducted either by an energy savings performance contractor
selected by the department of enterprise services through a request for
qualifications, a licensed engineer that is a certified energy manager,
or a project resource conservation manager.
(8) To intensify competition, the department of commerce may only
award funds to the top eighty-five percent of projects applying in a
round until the department of commerce determines a final round is
appropriate. Projects that do not receive a grant award in one round
may reapply in subsequent rounds.
(9) Grant amounts awarded to each project must allow for the
maximum number of projects funded with the greatest energy and cost
benefit.
(10) The department of commerce may charge projects administrative
fees and may pay the department of enterprise services, and the
Washington State University energy program administration fees in an
amount determined through a memorandum of understanding.
(11) The department of commerce and the department of enterprise
services must submit a joint report to the appropriate committees of
the legislature and the office of financial management on the timing
and use of the grant funds, program administrative function, compliance
with apprenticeship utilization requirements in RCW 39.04.320,
compliance with prevailing wage requirements, and administration fees
by the end of each fiscal year, until the funds are fully expended and
all savings verification requirements are fulfilled.
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $20,000,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $20,000,000
Sec. 509 2011 1st sp.s. c 49 s 1027 (uncodified) is amended to
read as follows:
FOR THE DEPARTMENT OF COMMERCE
Building Communities Fund Grants (30000102)
The appropriation in this section is subject to the following
conditions and limitations:
(1) Except as directed otherwise prior to the effective date of
this section, the department shall not expend the appropriation in this
section unless and until the nonstate share of project costs have been
either expended, or firmly committed, or both, in an amount sufficient
to complete the projects or a distinct phase of the project that is
useable to the public for this purpose intended by the legislature.
(2) Prior to receiving funds, project recipients must demonstrate
that the project site is under control for a minimum of ten years,
either through ownership or a long-term lease. This requirement does
not apply to appropriations for preconstruction activities or
appropriations whose sole purpose is to purchase real property that
does not include a construction or renovation component.
(3) Projects funded in this section may be required to comply with
Washington's high performance building standards as required by chapter
39.35D RCW.
(4) Project funds are available on a reimbursement basis only, and
shall not be advanced under any circumstances.
(5) Projects funded in this section must be held by the recipient
for a minimum of ten years and used for the same purpose or purposes
intended by the legislature as required in RCW 43.63A.125(6).
(6) Projects funded in this section, including those that are owned
and operated by nonprofit organizations, are generally required to pay
state prevailing wages.
(7) The appropriation is provided solely for the following list of
projects:
Project | Authorized Amount |
Serenity House of Clallam County | $52,000 |
Boys & Girls Clubs of King County | $316,000 |
YMCA of Pierce and Kitsap Counties | $1,250,000 |
Jewish Family Service | $2,313,000 |
Low Income Housing Institute | $313,000 |
The Salvation Army | $56,000 |
Share | $581,000 |
Navos | (( $2,350,000 |
Kitsap Community Resources | $600,000 |
Transitions | $109,000 |
Boys & Girls Clubs of the Columbia Basin | $648,000 |
Village Green Foundation | $1,029,000 |
Community Action Council of LMT | $95,000 |
United Way of Kitsap County | $605,000 |
ARC of Spokane | $862,000 |
Dynamic Family Services | $575,000 |
University District Food Bank | $573,000 |
Kent Youth and Family Services | $298,000 |
Safe Place | $778,000 |
Total | (( $13,403,000 |
NEW SECTION. Sec. 510 FOR THE OFFICE OF FINANCIAL MANAGEMENT
Aerospace and Manufacturing Training Equipment Pool (91000003)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $2,265,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $2,265,000
NEW SECTION. Sec. 511 FOR THE DEPARTMENT OF ENTERPRISE SERVICES
Legislative Building Critical Repairs (92000004)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $1,400,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $1,400,000
NEW SECTION. Sec. 601 FOR THE DEPARTMENT OF SOCIAL AND HEALTH
SERVICES
Rainier School: Cottages Remodel and Renovation (91000017)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $3,000,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $3,000,000
NEW SECTION. Sec. 602 FOR THE DEPARTMENT OF HEALTH
Safe Reliable Drinking Water Grants (92000002)
The appropriation in this section is subject to the following
conditions and limitations: The appropriation in this section is
provided solely for the following list of projects. The department may
allocate up to twenty-five percent of the amounts for specified
projects to other specified projects or to additional grants awarded on
a competitive basis if, upon further review of the specified projects,
the cost of the projects is less than originally assumed or other
nonstate funds become available. If specified projects have not met
the requirements for executing a contract with the department by April
30, 2013, the department may allocate the amount specified to
additional grants awarded on a competitive basis provided that the
grant awardee is ready to proceed with the project.
Project | Authorized Amount |
Whatcom PUD Water System Consolidation | $3,266,000 |
Columbia Crest Water System - Arsenic Treatment | $200,000 |
Kapowsin Water District CryptosporidiumTreatment | $50,000 |
Rhodena Beach Water District Arsenic Treatment | $72,000 |
Greater Bar Water District Consolidations System | $1,000,000 |
City of Ilwaco Water Treatment | $940,000 |
Town of Malden Water Facility Repair | $975,000 |
Kitsap PUD Water System Consolidation | $5,000,000 |
City of Colville System Repair/Upgrade | $750,000 |
City of Buckley System Repair/Upgrade | $4,000,000 |
City of Shelton Water System Consolidation | $4,000,000 |
City of Moses Lake Water System Consolidation | $4,700,000 |
Skagit PUD Water System Consolidation | $200,000 |
Pend Oreille PUD System Repair/Upgrade | $900,000 |
Gig Harbor - Replace Asbesto Water Mains | $2,000,000 |
Mason County PUD No. 1 Consolidations | $1,000,000 |
Stevens PUD Consolidations & Extensions | $525,000 |
Thurston PUD Upgrades and Quality Improvements | $782,000 |
Jefferson PUD Acquisitions and Upgrades | $950,000 |
Everett Water System Extension to Tulalip | $1,000,000 |
Tacoma - Fennel Heights Consolidation | $300,000 |
Agency Program Administration | $416,000 |
Total | $33,026,000 |
NEW SECTION. Sec. 603 FOR THE DEPARTMENT OF VETERANS AFFAIRS
Walla Walla Nursing Facility (20082008)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $7,200,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $7,200,000
Sec. 701 2011 1st sp.s. c 48 s 3024 (uncodified) is amended to
read as follows:
FOR THE DEPARTMENT OF ECOLOGY
Centennial Clean Water Program (30000208)
The appropriations in this section are subject to the following
conditions and limitations:
(1) $3,500,000 of the appropriation is provided solely to the city
of Snohomish to implement the near-term wastewater treatment plant
improvement project required under agreed order No. 7973 between the
department of ecology and the city.
(2) $3,500,000 of the appropriation is provided solely for a grant
for the Freeland sewer project.
(3) (($540,000 of the appropriation is provided solely for the city
of Connell's Klindworth Campbell waterline distribution project.)) $600,000 of the appropriation is provided solely for a grant
for the town of Mabton's wastewater treatment project.
(4)
(((5))) (4) For projects involving repair, replacement, or
improvement of a wastewater treatment plant or other public works
facility for which an investment grade audit is obtainable, the
department of ecology must require as a contract condition that the
project sponsor undertake an investment grade audit. The project
sponsor may finance the costs of the audit as part of its centennial
clean water program grant.
(5) $21,171,000 of the appropriation is provided solely as grants
for the following ranked list of projects. If a specified project has
not met the requirements for executing a contract with the department
by April 30, 2013, the department may allocate the amount specified to
additional grants awarded on a competitive basis provided that the
grant awardee is ready to proceed with the project.
Project | Authorized Amount |
Granger Wastewater System Improvements | $3,838,000 |
Mabton Wastewater Treatment Facility Improvements | $4,400,000 |
Rock Island Wastewater Treatment Plant and Side Sewers | $1,618,000 |
Potlatch Wastewater Reclamation Facility | $1,203,000 |
Belfair WWTP Phase 2 | $4,982,000 |
Deer Park Wastewater Storage Lagoon Upgrade | $4,668,000 |
Administrative Costs | $462,000 |
Total | $21,171,000 |
NEW SECTION. Sec. 702 FOR THE DEPARTMENT OF ECOLOGY
Skagit Mitigation (91000181)
The appropriation in this section is subject to the following
conditions and limitations: The appropriation in this section is
provided solely for the following list of projects, which are related
to implementation of Engrossed Substitute Senate Bill No. 6312. If a
specified project has not met the requirements for executing a contract
with the department by April 30, 2013, the department may allocate the
amount specified to additional grants awarded on a competitive basis
provided that the grant awardee is ready to proceed with the project.
Project | Authorized Amount |
$50,000 | |
$50,000 | |
$125,000 | |
$1,000,000 | |
$1,000,000 | |
Total | $2,225,000 |
NEW SECTION. Sec. 703 FOR THE DEPARTMENT OF ECOLOGY
Clean Up Toxic Sites - Puget Sound (91000032)
The appropriation in this section is subject to the following
conditions and limitations: The appropriation in this section is
provided solely for the following ranked list of projects. If a
specified project has not met the requirements for executing a contract
with the department by April 30, 2013, the department may allocate the
amount specified to additional projects awarded on a competitive basis
provided that the awardee is ready to proceed with the project.
Project | Authorized Amount |
Port Gamble Bay - Open up 90 acres of geoduck tracks | $2,000,000 |
Port Gamble Bay - Source control, habitat preservation, and cleanup sustainability | $7,000,000 |
Olympia West Bay Marina | $500,000 |
Olympia Reliable Steel | $750,000 |
Oak Harbor Cornet Bay | $2,500,000 |
Seattle Lower Duwamish Waterway Slivers | $5,000,000 |
Anacortes Guemes Channel | $6,000,000 |
Puget Sound Bioaccumulative Levels | $950,000 |
Bellingham Bay Site - Habitat Restoration | $1,500,000 |
Anacortes Whitmarsh Landfill Accelerated Cleanup | $1,500,000 |
Port Gardner Bay | $75,000 |
Port Angeles Harbor | $850,000 |
Anacortes Custom Plywood Dioxin Removal Interim Action | $3,500,000 |
Seattle Jacobson Property | $1,182,000 |
Administration | $999,000 |
Total | $34,306,000 |
NEW SECTION. Sec. 704 FOR THE DEPARTMENT OF ECOLOGY
Eastern Washington Clean Sites Initiative (91000033)
The appropriation in this section is subject to the following
conditions and limitations: The appropriation in this section is
provided solely for the following ranked list of projects. If a
specified project has not met the requirements for executing a contract
with the department by April 30, 2013, the department may allocate the
amount specified to additional projects awarded on a competitive basis
provided that the awardee is ready to proceed with the project.
Project | Authorized Amount |
Cashmere Mill Site | $1,500,000 |
Marshall Landfill | $8,500,000 |
Ione Airport Kwik Stop | $300,000 |
Okanogan Mine Lands (Four Metals, Horn Silver, Brook) | $250,000 |
Chewelah Grange UST #100319 | $75,000 |
Coulee City Frontier Corner #100748 | $25,000 |
Marcus Country Store #100546 | $19,000 |
North of Davenport Fort Spokane Store #619627 | $30,000 |
Spokane Fitzgerald Motors (Unregistered) | $15,000 |
Chelan Investigation | $200,000 |
Richland Perchloroethylene (PCE) Investigation | $200,000 |
Administration | $333,000 |
Total | $11,447,000 |
NEW SECTION. Sec. 705 FOR THE DEPARTMENT OF ECOLOGY
Remedial Action Grant Program (91000038)
The appropriation in this section is subject to the following
conditions and limitations: The appropriation in this section is
provided solely for the following list of projects. If a specified
project has not met the requirements for executing a contract with the
department by April 30, 2013, the department may allocate the amount
specified to additional grants awarded on a competitive basis provided
that the grant awardee is ready to proceed with the project.
Project | Authorized Amount |
Port of Seattle Lower Duwamish Waterway Terminal 117 | $11,000,000 |
Seattle Public Utilities Lower Duwamish Waterway Terminal 117 & Slip 4 | $2,000,000 |
Seattle City Light Lower Duwamish Waterway Terminal 117 & Slip 4 | $2,000,000 |
Seattle Gas Works Park Sediment Cleanup | $6,923,000 |
Port of Olympia Budd Inlet Sediments | $2,000,000 |
Port of Seattle Lora Lake | $1,000,000 |
Port of Seattle Terminal 91 | $3,000,000 |
Port of Seattle Terminal 30 | $394,000 |
King County East Waterway | $500,000 |
Kitsap County Olalla Landfill | $138,000 |
King County Lander - Combined Sewer Overflow | $1,000,000 |
King County King Street - Combined Sewer Overflow | $670,000 |
King County Brandon - Combined Sewer Overflow | $300,000 |
Kitsap County Hansville Landfill | $252,000 |
Yakima Trolley Barn (3rd & Walnut) | $500,000 |
Voluntary Cleanup and Integrated Planning Grants | $1,500,000 |
Restore Dockton Forest Area of Vashon/Maury Island | $3,000,000 |
Saddlerock Community Recreation | $500,000 |
Ellensburg Fire Department Mackner Scales | $100,000 |
Cream Wine - Old Carnation Dairy Plant | $200,000 |
Administration | $1,214,000 |
Worthen Street Landfill | $200,000 |
Truck City Truck Stop | $1,800,000 |
Circle K Cleanup | $500,000 |
Tiki Car Wash | $1,000,000 |
Total | $41,691,000 |
NEW SECTION. Sec. 706 FOR THE DEPARTMENT OF ECOLOGY
FY 2012 Statewide Storm Water Grant Program (91000053)
The appropriation in this section is subject to the following
conditions and limitations: The appropriation in this section is
provided solely for the following ranked list of projects. If a
specified project has not met the requirements for executing a contract
with the department by April 30, 2013, the department may allocate the
amount specified to additional grants awarded on a competitive basis
provided that the grant awardee is ready to proceed with the project.
Project | Authorized Amount |
Lakewood 2012 Drywell Replacement Project | $330,000 |
Ferndale Southwest Storm Water Management Facility | $871,000 |
Tacoma Cheney Stadium Storm Water LID Retrofit | $1,000,000 |
Bellingham Central Business District Raingarden Retrofits | $450,000 |
Walla Walla 13th Avenue Storm Water LID Project | $290,000 |
Spokane County Regional Decant Facility | $684,000 |
Milton 5th Avenue Storm Water Treatment Facility | $112,000 |
Pierce County Clarks/Rody Creek Storm Water Retrofits | $829,000 |
Mount Vernon Downtown Plaza | $351,000 |
Vancouver Water Quality Retrofits for Existing Drywells | $562,000 |
Camas Vactor Waste Facility Retrofit | $150,000 |
Tumwater Valley Regional Storm Water Facility | $469,000 |
West Richland Bombing Range Outfall Elimination Project | $479,000 |
Kitsap County Parks: Replace and Installation of Pervious Parking | $735,000 |
Lots | |
Woodinville Lake Leota Storm Water Quality Retrofit Project | $866,000 |
Richland Leslie Groves Park Regional Infiltration Facility | $199,000 |
Spokane County Country Homes Boulevard Restoration Project | $1,000,000 |
Redmond NE 84th Street Storm Water Retrofit | $1,000,000 |
Pierce County Groundwater Pollutant Reduction Project | $578,000 |
Kitsap County Illahee Storm Water - LID Retrofit Project | $625,000 |
Bellingham Storm Water Retrofit - Bloedel Donovan Park | $384,000 |
Puyallup Porous Alley Initiative Program | $665,000 |
Lacey Vactor Waste Decant Facility | $342,000 |
Fife 70th Avenue East Phase 2 | $786,000 |
Kent James Street Storm Water Outfall Retrofit | $75,000 |
Renton Sunset Terrace Regional Storm Water Facility | $983,000 |
Sumner Site A.2 Outfall Treatment Retrofit | $1,000,000 |
Asotin Second Street Storm Water Project | $172,000 |
University Place Bridgeport Way Low Impact Development Project | $758,000 |
Sumner Site J Outfall Treatment Retrofit | $538,000 |
Richland Canyon Terrace Storm Water Treatment Project | $211,000 |
Olympia SPSCC Storm Water Retrofit for Water Quality | $312,000 |
Renton Harrington Avenue NE Green Connection | $913,000 |
Longview Municipal Pervious Concrete | $86,000 |
Kirkland Northeast King County Co-op Recycling Decant Center | $2,250,000 |
Burlington Gages Slough Storm Water LID Improvements | $204,000 |
Clark County Columbia River High School Storm Water Retrofit | $267,000 |
Bainbridge Island Lynwood Center Outfall Improvement Project | $188,000 |
Puyallup Clarks Creek Targeted Outfall Retrofit Project | $551,000 |
Pierce County Tacoma Narrows Airport Pavement Removal | $326,000 |
Pierce County Spanaway Lake Park Storm Water Retrofit | $690,000 |
Kennewick Vactor Waste Project | $600,000 |
West Richland Yakima River Outfall Elimination Project | $124,000 |
Administrative Costs | $816,000 |
Total | $24,821,000 |
NEW SECTION. Sec. 707 FOR THE DEPARTMENT OF ECOLOGY
Storm Water Retrofit and LID Competitive Grants (91000054)
The appropriation in this section is subject to the following
conditions and limitations: The appropriation in this section is
provided solely for the following ranked list of projects. If a
specified project has not met the requirements for executing a contract
with the department by April 30, 2013, the department may allocate the
amount specified to additional grants awarded on a competitive basis
provided that the grant awardee is ready to proceed with the project.
Project | Authorized Amount |
Burien Miller Creek Storm Water Management Facility | $1,000,000 |
Tacoma Asotin Court LID Retrofit | $710,000 |
Seattle Public Utilities Midvale Storm Water Facility | $1,000,000 |
Lakewood Steilacoom Blvd Outfall Project | $225,000 |
Mukileto Smuggler's Gulch Drainage Basin LID and Storm Water Retrofit | $1,000,000 |
Kirkland Park Lane Pedestrian Corridor | $739,000 |
Port Angeles 4th Street Storm Water Project | $1,000,000 |
Snohomish County Dept. of Parks & Rec. Kayak Park Storm Water Treatment | $1,000,000 |
Renton Rainier Avenue Storm Water Retrofit | $645,000 |
Vancouver Peterson Channel Industrial LID Improvements | $287,000 |
Wenatchee Snowmelt Facility | $975,000 |
Port Orchard Cedar Heights Junior High Sidewalks | $135,000 |
Centralia Downtown Rain Garden Revitalization Project | $487,000 |
Snohomish County Paine Field Drainage Subbasin SC-5 | $967,000 |
Seattle Public Utilities West Seattle Decant Facility | $289,000 |
Skagit County LID Demonstration Project | $291,000 |
Snohomish LID Improvements Project | $104,000 |
Douglas County 23rd Street (Baker to SR28) | $166,000 |
Renton NE 10th St and Anacortes Ave NE Detention Pond Retrofit | $206,000 |
Redmond Public Works Kelsey Creek Erosion Reduction Facility | $1,000,000 |
Whatcom County Upper Silver Beach Creek Restoration | $988,000 |
Port of Vancouver Terminal 4 Storm Water Pond Retrofit | $1,000,000 |
Administrative Costs | $483,000 |
Total | $14,695,000 |
NEW SECTION. Sec. 708 FOR THE DEPARTMENT OF ECOLOGY
Columbia River Water Management Projects (91000179)
The appropriation in this section is subject to the following
conditions and limitations:
(1) $11,000,000 of the appropriation in this section is provided
solely for the Gardena Irrigation District Main Canal Project.
(2) $2,000,000 of the appropriation in this section is provided
solely for the Lake Roosevelt Incremental Storage Release - East Low
Canal Project.
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $13,000,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $13,000,000
NEW SECTION. Sec. 709 FOR THE DEPARTMENT OF ECOLOGY
Flood Levee Improvements (92000057)
The appropriation in this section is subject to the following
conditions and limitations: The appropriation in this section is
provided solely for the following projects and for a competitive grant
program for flood levee improvements and flood risk reduction projects.
Project | Authorized Amount |
Mt. Vernon Flood Protection | $1,500,000 |
Briscoe-Desimone Levee Improvements | $7,500,000 |
Flood Levee Improvements - Competitive Grant Program | $8,983,000 |
Total | $17,983,000 |
NEW SECTION. Sec. 710 FOR THE DEPARTMENT OF ECOLOGY
Ground Water Management Yakima Basin (92000061)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $450,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $450,000
NEW SECTION. Sec. 711 FOR THE STATE PARKS AND RECREATION
COMMISSION
Picnic Shelters (91000018)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $500,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $500,000
NEW SECTION. Sec. 712 FOR THE STATE PARKS AND RECREATION
COMMISSION
Comfort Stations (91000036)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $1,754,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $1,754,000
NEW SECTION. Sec. 713 FOR THE STATE PARKS AND RECREATION
COMMISSION
Wallace Falls Footbridge (91000047)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $486,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $486,000
NEW SECTION. Sec. 714 FOR THE STATE PARKS AND RECREATION
COMMISSION
Rocky Reach Trail (91000035)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $400,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $400,000
NEW SECTION. Sec. 715 FOR THE STATE PARKS AND RECREATION
COMMISSION
Deferred Maintenance (91000030)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $820,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $820,000
NEW SECTION. Sec. 716 FOR THE RECREATION AND CONSERVATION
FUNDING BOARD
Family Forest Fish Passage Program (91000097)
Appropriation:
Environmental Cleanup and Restoration Construction
Bond Proceeds Account--State . . . . . . . . . . . . $10,000,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $10,000,000
NEW SECTION. Sec. 717 FOR THE STATE CONSERVATION COMMISSION
Farms and Water Quality (91000004)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $5,000,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $5,000,000
NEW SECTION. Sec. 718 FOR THE STATE CONSERVATION COMMISSION
Conservation Reserve Enhancement Program (91000007)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $1,277,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $1,277,000
NEW SECTION. Sec. 719 FOR THE DEPARTMENT OF FISH AND WILDLIFE
Dry Forest Restoration (91000039)
The appropriation in this section is subject to the following
conditions and limitations:
(1) $375,000 of the appropriation is provided solely for the
Sherman Creek prescribed burning project.
(2) $421,000 of the appropriation is provided solely for the
Sinlahekin dry forest restoration project.
Appropriation:
Environmental Cleanup and Restoration Construction
Bond Proceeds Account--State . . . . . . . . . . . . $796,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $796,000
NEW SECTION. Sec. 720 FOR THE DEPARTMENT OF FISH AND WILDLIFE
Fishway Improvements/Diversions (91000033)
Appropriation:
Environmental Cleanup and Restoration Construction
Bond Proceeds Account--State . . . . . . . . . . . . $8,000,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $8,000,000
NEW SECTION. Sec. 721 FOR THE DEPARTMENT OF FISH AND WILDLIFE
Hatchery Improvements (91000036)
Appropriation:
Environmental Cleanup and Restoration Construction
Bond Proceeds Account--State . . . . . . . . . . . . $34,775,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $34,775,000
NEW SECTION. Sec. 722 FOR THE DEPARTMENT OF FISH AND WILDLIFE
Minor Works - Dam and Dike (91000042)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $200,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $200,000
NEW SECTION. Sec. 723 FOR THE DEPARTMENT OF FISH AND WILDLIFE
Minor Works - Access Sites (91000044)
Appropriation:
Environmental Cleanup and Restoration Construction
Bond Proceeds Account--State . . . . . . . . . . . . $7,406,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $7,406,000
NEW SECTION. Sec. 724 FOR THE DEPARTMENT OF FISH AND WILDLIFE
Minor Works - Fish Passage Barriers (Culverts) (91000045)
Appropriation:
Environmental Cleanup and Restoration Construction
Bond Proceeds Account--State . . . . . . . . . . . . $1,495,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $1,495,000
NEW SECTION. Sec. 725 FOR THE DEPARTMENT OF FISH AND WILDLIFE
Minor Works - Road Maintenance and Abandonment Plan (91000046)
Appropriation:
Environmental Cleanup and Restoration Construction
Bond Proceeds Account--State . . . . . . . . . . . . $516,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $516,000
NEW SECTION. Sec. 726 FOR THE DEPARTMENT OF FISH AND WILDLIFE
Wildlife Area Improvements (91000047)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $60,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $60,000
NEW SECTION. Sec. 727 FOR THE DEPARTMENT OF FISH AND WILDLIFE
Acquire Dryden Gravel Pit from Washington Department of
Transportation (92000028)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $251,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $251,000
Sec. 728 2011 1st sp.s. c 49 s 3082 (uncodified) is amended to
read as follows:
FOR THE DEPARTMENT OF FISH AND WILDLIFE
Voights Creek Hatchery (20081003)
((The appropriation in this section is subject to the following
conditions and limitations: The appropriations in this section are
provided solely for property acquisition, design, and permitting. If
the department does not acquire property, the amounts provided in this
section shall lapse.))
Reappropriation:
State Building Construction Account--State . . . . . . . . . . . . $115,000
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $1,000,000
Environmental Cleanup and Restoration Construction
Bond Proceeds Account--State . . . . . . . . . . . . $13,000,000
Subtotal Appropriation . . . . . . . . . . . . $14,000,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $1,182,000
Future Biennia (Projected Costs) . . . . . . . . . . . . (($13,000,000))
$0
TOTAL . . . . . . . . . . . . $15,297,000
NEW SECTION. Sec. 729 FOR THE DEPARTMENT OF NATURAL RESOURCES
Road Maintenance and Abandonment Plan (91000040)
The appropriation is subject to the following conditions and
limitations:
(l) $1,084,000 of the appropriation in this section is provided
solely to replace fish passage barriers and bring roads up to salmon
recovery and clean water standards within natural area preserves and
natural resource conservation areas.
(2) $10,750,000 of the appropriation in this section is provided
solely to replace fish passage barriers and bring roads up to salmon
recovery and clean water standards on state grant lands and state
forest lands.
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $11,834,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $11,834,000
NEW SECTION. Sec. 730 FOR THE DEPARTMENT OF NATURAL RESOURCES
Restoration Projects to Improve Natural Resources (91000054)
The appropriation in this section is subject to the following
conditions and limitations:
(1) $435,000 of the appropriation is provided solely for a grant to
a nonprofit organization for road repairs and restoration of
forestlands along the Clearwater River.
(2) $1,020,000 of the appropriation is provided solely for a grant
for road repairs and forest treatments in the Ellsworth Creek
watershed.
(3) $1,030,000 of the appropriation is provided solely for a grant
for dike removal and construction of a setback dike and flood
attenuation structure at Port Susan Bay.
(4) $75,000 of the appropriation is provided solely to the
department of fish and wildlife for forest restoration treatments in
the Oak Creek - Tieton landscape.
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $2,560,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $2,560,000
NEW SECTION. Sec. 731 FOR THE DEPARTMENT OF NATURAL RESOURCES
Forest Hazard Reduction and Safety (91000066)
The appropriation in this section is subject to the following
conditions and limitations:
(1) Up to $4,320,000 of the appropriation in this section is for
forest treatments that benefit state trust lands in eastern Washington
by reducing insect, disease and wildfire hazards, of which not more
than $500,000 may be used for implementing treatments on federal lands
solely within areas identified by a forest health technical advisory
committee to warrant a forest health hazard warning or order authorized
under RCW 76.06.180;
(2) Up to $4,150,000 of the appropriation in this section is for
noxious weed abatement and precommercial thinning on state trust lands;
and
(3) Forest treatments to reduce insect, disease and wildfire
hazards on private or federal lands shall require a contract with the
department of natural resources to provide at least a one-to-one
nonstate or in-kind fund match, and to provide a ten-year landowner
maintenance agreement.
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $8,470,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $8,470,000
NEW SECTION. Sec. 732 FOR THE DEPARTMENT OF NATURAL RESOURCES
Puget SoundCorps (91000046)
The appropriation is subject to the following conditions and
limitations: The appropriation in this section is provided solely for
water quality and habitat protection and restoration projects that
benefit Puget Sound recovery and that are primarily on public lands.
The department of natural resources must contract with the department
of ecology for Puget SoundCorps crews of youth and military veterans to
implement these projects pursuant to chapter 20, Laws of 2011.
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $10,000,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $10,000,000
NEW SECTION. Sec. 733 FOR THE DEPARTMENT OF NATURAL RESOURCES
Creosote Piling Removal (92000014)
The appropriation is subject to the following conditions and
limitations: The appropriation in this section is provided solely to
remove creosote pilings from Puget Sound.
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $1,650,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $1,650,000
NEW SECTION. Sec. 734 FOR THE DEPARTMENT OF NATURAL RESOURCES
Derelict Vessel Removal and Disposal (91000049)
The appropriation is subject to the following conditions and
limitations:
(l) $700,000 of the appropriation in this section is provided
solely to remove derelict or abandoned vessels up to 100 feet in length
from Washington waters; and
(2) $3,000,000 of the appropriation in this section is provided
solely to remove derelict or abandoned vessels exceeding one hundred
feet in length from Washington waters.
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $3,700,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $3,700,000
NEW SECTION. Sec. 735 FOR THE DEPARTMENT OF NATURAL RESOURCES
Shoreline Restoration (92000011)
The appropriation is subject to the following conditions and
limitations: The appropriation in this section is provided solely to
fund aquatic restoration projects in Puget Sound through partnerships
with other agencies and organizations.
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $3,966,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $3,966,000
NEW SECTION. Sec. 736 FOR THE DEPARTMENT OF NATURAL RESOURCES
Urban Forest Restoration (Puget Sound Basin)(91000051)
The appropriation is subject to the following conditions and
limitations: The appropriation in this section is provided solely to
assist municipalities and jurisdictions across the state to better
manage existing urban forests and plan for improvements to the urban
forest infrastructure.
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $800,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $800,000
NEW SECTION. Sec. 737 FOR THE DEPARTMENT OF NATURAL RESOURCES
Large Debris Removal (91000052)
The appropriation is subject to the following conditions and
limitations: The appropriation in this section is provided solely to
assist public and private shoreline property owners with the removal of
large, artificial marine debris from Puget Sound shorelines.
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $200,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $200,000
NEW SECTION. Sec. 738 FOR THE DEPARTMENT OF NATURAL RESOURCES
Secret Harbor Estuary Restoration - Cypress Island (91000053)
The appropriation is subject to the following conditions and
limitations: The appropriation in this section is provided solely to
restore the Secret Harbor estuary, enhance public access, and expand
the capacity of the Cypress Island natural resources conservation area
for tourism and low-impact public use.
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $535,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $535,000
NEW SECTION. Sec. 801 FOR THE SUPERINTENDENT OF PUBLIC
INSTRUCTION
Energy Efficiency Grants for K-12 Schools (91000017)
The appropriation is subject to the following conditions and
limitations: The superintendent of public instruction may charge
program administrative fees.
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $40,000,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $40,000,000
NEW SECTION. Sec. 802 FOR THE SUPERINTENDENT OF PUBLIC
INSTRUCTION
Urgent Repair Grant Program (91000016)
The appropriation in this section is subject to the following
conditions and limitations:
(1) The appropriation is provided solely for nonrecurring costs
associated with school facility repairs and renovations necessary for
unforeseen health and safety needs.
(2) The office of the superintendent of public instruction, after
consulting with maintenance and operations administrators of school
districts, shall develop criteria for providing funding for specific
projects to stay within the appropriation level provided in this
section. The criteria must include, but are not limited to, the
following: (a) Limiting district applications to one hundred thousand
dollars; (b) limiting districts eligible to receive the grant to only
once every other biennium; and (c) requiring any district receiving
funding provided in this section to demonstrate a consistent commitment
to addressing school facilities needs.
(3) The superintendent of public instruction may charge program
administrative fees.
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $5,000,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $5,000,000
NEW SECTION. Sec. 803 FOR THE SUPERINTENDENT OF PUBLIC
INSTRUCTION
Distressed Schools (92000009)
The appropriation in this section is subject to the following
conditions and limitations:
(1) $9,400,000 of the appropriation in this section is provided
solely for updating existing classrooms at John Marshall, Boren, and
Van Asselt schools in the Seattle school district.
(2) $1,000,000 of the appropriation in this section is provided
solely for emergency repairs at Orcas Island schools.
(3) $17,000,000 is provided solely for additional state funding for
the Grand Coulee Dam school project.
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $27,400,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $27,400,000
NEW SECTION. Sec. 804 FOR THE SUPERINTENDENT OF PUBLIC
INSTRUCTION
Grant County Branch Campus of Wenatchee Valley Skills Center
(30000091)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $19,408,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $9,488,000
TOTAL . . . . . . . . . . . . $28,896,000
Sec. 805 2011 1st sp.s. c 49 s 5013 (uncodified) is amended to
read as follows:
FOR THE SUPERINTENDENT OF PUBLIC INSTRUCTION
SEA-Tech Branch Campus of Tri-Tech Skills Center (30000078)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . (($1,169,000))
$11,519,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . (($11,739,000))
$0
TOTAL . . . . . . . . . . . . (($12,908,000))
$11,519,000
Sec. 806 2011 1st sp.s. c 49 s 5003 (uncodified) is amended to
read as follows:
FOR THE SUPERINTENDENT OF PUBLIC INSTRUCTION
Pierce County Skills Center (20084856)
Reappropriation:
School Construction and Skill Centers Building
Account--State . . . . . . . . . . . . $2,087,000
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . (($7,100,000))
$11,900,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $9,949,000
Future Biennia (Projected Costs) . . . . . . . . . . . . (($10,772,000))
$11,427,000
TOTAL . . . . . . . . . . . . (($29,908,000))
$35,363,000
Sec. 807 2011 1st sp.s. c 49 s 5012 (uncodified) is amended to
read as follows:
FOR THE SUPERINTENDENT OF PUBLIC INSTRUCTION
Clark County Skills Center (30000093)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . (($100,000))
$1,550,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . (($14,750,000))
$12,300,000
TOTAL . . . . . . . . . . . . (($14,850,000))
$13,850,000
NEW SECTION. Sec. 808 FOR THE SUPERINTENDENT OF PUBLIC
INSTRUCTION
Wenatchee Valley Skills Center (92000004)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $9,500,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $9,500,000
NEW SECTION. Sec. 809 FOR THE SUPERINTENDENT OF PUBLIC
INSTRUCTION
Spokane Area Professional-Technical Skills Center (92000005)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $1,800,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $1,800,000
NEW SECTION. Sec. 810 FOR THE SUPERINTENDENT OF PUBLIC
INSTRUCTION
WA-NIC Skills Center - Snoqualmie Valley School District/Bellevue
Community College (92000006)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $1,715,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $1,715,000
NEW SECTION. Sec. 811 FOR THE SUPERINTENDENT OF PUBLIC
INSTRUCTION
Puget Sound Skills Center (92000007)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $1,500,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $21,400,000
TOTAL . . . . . . . . . . . . $22,900,000
NEW SECTION. Sec. 812 FOR THE SUPERINTENDENT OF PUBLIC
INSTRUCTION
Yakima Valley Technical Skills Center Sunnyside Satellite
(92000013)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $6,225,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $6,225,000
NEW SECTION. Sec. 813 FOR THE STATE SCHOOL FOR THE BLIND
General Campus Preservation (30000018)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $550,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $2,557,000
TOTAL . . . . . . . . . . . . $3,107,000
NEW SECTION. Sec. 814 FOR THE WASHINGTON STATE CENTER FOR THE
CHILDHOOD DEAFNESS AND HEARING LOSS
Minor Public Works (30000013)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $536,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $3,811,000
TOTAL . . . . . . . . . . . . $4,347,000
NEW SECTION. Sec. 815 FOR THE UNIVERSITY OF WASHINGTON
Burke Museum (20082850)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $3,500,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $300,000
Future Biennia (Projected Costs) . . . . . . . . . . . . $14,000,000
TOTAL . . . . . . . . . . . . $17,800,000
NEW SECTION. Sec. 816 FOR THE UNIVERSITY OF WASHINGTON
University of Washington Tacoma Campus Development and Soil
Remediation (92000002)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $5,000,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $5,000,000
Sec. 817 2011 1st sp.s. c 49 s 5017 (uncodified) is amended to
read as follows:
FOR THE UNIVERSITY OF WASHINGTON
University of Washington Bothell (20082006)
Reappropriation:
State Building Construction Account--State . . . . . . . . . . . . $2,934,000
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $19,877,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $2,216,000
Future Biennia (Projected Costs) . . . . . . . . . . . . (($77,435,000))
$0
TOTAL . . . . . . . . . . . . (($82,585,000))
$25,037,000
NEW SECTION. Sec. 818 FOR THE WASHINGTON STATE UNIVERSITY
Washington State University Spokane - Riverpoint Biomedical and
Health Sciences (20162953)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $6,000,000
Environmental Cleanup & Restoration Construction
Bond Proceeds Account--State . . . . . . . . . . . . $1,300,000
Subtotal Appropriation . . . . . . . . . . . . $7,300,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $7,300,000
NEW SECTION. Sec. 819 FOR THE WASHINGTON STATE UNIVERSITY
High-Technology Education Equipment (92000007)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $1,821,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $1,821,000
NEW SECTION. Sec. 820 FOR THE COMMUNITY AND TECHNICAL COLLEGE
SYSTEM
Equipment Pool (92000011)
The appropriation in this section is subject to the following
conditions and limitations: The appropriation is for major equipment
in high demand fields as specified in LEAP capital document No. 2012-34, developed March 7, 2012. The state board for community and
technical colleges may allocate amounts among the equipment items
specified to cover differences in actual bid prices, but may not
allocate amounts to equipment items not on the list.
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $13,930,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $0
TOTAL . . . . . . . . . . . . $13,930,000
NEW SECTION. Sec. 821 FOR THE COMMUNITY AND TECHNICAL COLLEGE
SYSTEM
Olympic College: College Instruction Center (30000122)
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $3,624,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $0
Future Biennia (Projected Costs) . . . . . . . . . . . . $51,079,000
TOTAL . . . . . . . . . . . . $54,703,000
Sec. 822 2011 1st sp.s. c 49 s 5075 (uncodified) is amended to
read as follows:
FOR THE COMMUNITY AND TECHNICAL COLLEGE SYSTEM
North Seattle Community College: Technology Building Renewal
(30000129)
Reappropriation:
State Building Construction Account--State . . . . . . . . . . . . $1,478,000
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $23,335,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $606,000
Future Biennia (Projected Costs) . . . . . . . . . . . . (($20,950,000))
$0
TOTAL . . . . . . . . . . . . (($23,034,000)) $25,419,000
Sec. 823 2011 1st sp.s. c 49 s 5088 (uncodified) is amended to
read as follows:
FOR THE COMMUNITY AND TECHNICAL COLLEGE SYSTEM
Tacoma Community College: Health Careers Center (20082701)
Reappropriation:
State Building Construction Account--State . . . . . . . . . . . . $906,000
Appropriation:
State Building Construction Account--State . . . . . . . . . . . . $39,107,000
Prior Biennia (Expenditures) . . . . . . . . . . . . $1,160,000
Future Biennia (Projected Costs) . . . . . . . . . . . . (($38,819,000))
$0
TOTAL . . . . . . . . . . . . (($40,885,000))
$41,173,000
Sec. 824 2011 1st sp.s. c 49 s 5062 (uncodified) is amended to
read as follows:
FOR THE WASHINGTON STATE HISTORICAL SOCIETY
Washington Heritage Grants (30000117)
The appropriation in this section is subject to the following
conditions and limitations:
(1) The appropriation is subject to the provisions of RCW
27.34.330.
(2) The appropriation is provided solely for the following list of
projects:
Project | Authorized Amount |
Schooner Martha Foundation | $118,000 |
Cascade Land Conservancy | $155,000 |
Port of Chinook | $45,000 |
City of Bellingham | $100,000 |
La Conner Quilt and Textile Museum | $25,000 |
City of Vancouver | $610,000 |
Blue Mountain Heritage Society | $30,000 |
Metro Parks Tacoma | $60,000 |
Si View Metro Park District | $25,000 |
City of Port Townsend | $375,000 |
San Juan County Parks Department | $18,000 |
Seattle Theatre Group | $531,000 |
Jefferson County | $300,000 |
Sound Experience | $288,000 |
Museum of History and Industry | $1,000,000 |
Seattle Department of Transportation | $700,000 |
Historic Seattle Preservation and Development Authority | $470,000 |
Town of Wilkeson | $75,000 |
Maryhill Museum of Fine Art | $57,000 |
Clymer Museum of Art | $9,000 |
Phinney Neighborhood Association | $995,000 |
Foss Waterway Seaport | $750,000 |
Polson Museum | $143,000 |
Broadway Center for the Performing Arts | $203,000 |
Total | (( |
NEW SECTION. Sec. 901
NEW SECTION. Sec. 902 (1) Allotments for appropriations in this
act shall be provided in accordance with expedited capital project
review requirements adopted by the office of financial management.
(2) Each project is defined as proposed in the legislative budget
notes or in the governor's budget document.
NEW SECTION. Sec. 903 (1) To ensure minor works appropriations
are carried out in accordance with legislative intent, funds
appropriated in this act shall not be allotted until project lists are
on file at the office of financial management, the house of
representatives capital budget committee, and the senate ways and means
committee. All projects must meet the criteria included in subsection
(2)(a) of this section. Revisions to the lists must be filed with the
office of financial management, the house of representatives capital
budget committee, and the senate ways and means committee and include
an explanation of variances from the prior lists before funds may be
expended on the revisions.
(2)(a) Minor works projects are single line appropriations that
include multiple projects of a similar nature and that are valued
between $25,000 and $1,000,000 each, with the exceptions of: (i)
Higher education minor works projects that may be valued up to
$2,000,000; and (ii) department of fish and wildlife minor works
projects funded in this act that may be valued up to $3,200,000. These
projects can generally be completed within two years of the
appropriation with the funding provided. Except for department of fish
and wildlife minor works projects funded in this act, agencies are
prohibited from including projects on their minor works lists that are
a phase of a larger project, and that if combined over a continuous
period of time, would exceed $1,000,000, or $2,000,000 for higher
education minor works projects. Improvements for accessibility in
compliance with the Americans with disabilities act may be included in
any of the above minor works categories.
(b) Minor works appropriations shall not be used for, among other
things: Studies, except for technical or engineering reviews or
designs that lead directly to and support a project on the same minor
works list; planning; design outside the scope of work on a minor works
list; moveable, temporary, and traditionally funded operating equipment
not in compliance with the equipment criteria established by the office
of financial management; software not dedicated to control of a
specialized system; moving expenses; land or facility acquisition; or
to supplement funding for projects with funding shortfalls unless
expressly authorized elsewhere in this act. The office of financial
management may make an exception to the limitations described in this
subsection (2)(b) for exigent circumstances after notifying the
legislative fiscal committees and waiting ten days for comments by the
legislature regarding the proposed exception.
(c) Minor works preservation projects may include program
improvements of no more than twenty-five percent of the individual
minor works preservation project cost.
(3) It is generally not the intent of the legislature to make
future appropriations for capital expenditures or for maintenance and
operating expenses for an acquisition project or a significant
expansion project that is initiated through the minor works process and
therefore does not receive a policy and fiscal analysis by the
legislature. Minor works projects are intended to be one-time
expenditures that do not require future state resources to complete.
NEW SECTION. Sec. 904 (1) The office of financial management may
authorize a transfer of appropriation authority provided for a capital
project that is in excess of the amount required for the completion of
such project to another capital project for which the appropriation is
insufficient. No such transfer may be used to expand the capacity of
any facility beyond that intended in making the appropriation. Such
transfers may be effected only between capital appropriations to a
specific department, commission, agency, or institution of higher
education and only between capital projects that are funded from the
same fund or account. No transfers may occur between projects to local
government agencies except where the grants are provided within a
single omnibus appropriation and where such transfers are specifically
authorized by the implementing statutes that govern the grants.
(2) The office of financial management may find that an amount is
in excess of the amount required for the completion of a project only
if: (a) The project as defined in the notes to the budget document is
substantially complete and there are funds remaining; or (b) bids have
been let on a project and it appears to a substantial certainty that
the project as defined in the notes to the budget document can be
completed within the biennium for less than the amount appropriated in
this act.
(3) For the purposes of this section, the intent is that each
project be defined as proposed to the legislature in the governor's
budget document, unless it clearly appears from the legislative history
that the legislature intended to define the scope of a project in a
different way.
(4) The office of financial management shall report any transfer
effected under this section to the house of representatives capital
budget committee, the senate ways and means committee, and the
legislative evaluation and accountability program committee, at least
thirty days before the date the transfer is effected. The office of
financial management shall report all emergency or smaller transfers
within thirty days from the date of transfer. The governor's capital
budget request following any transfer shall reflect that transfer in
the affected agency.
NEW SECTION. Sec. 905 (1) It is expected that projects be ready
to proceed in a timely manner depending on the type or phase of the
project or program that is the subject of the appropriation in this
act. Except for major projects that customarily may take more than two
biennia to complete from predesign to the end of construction, or large
infrastructure grant or loan programs supporting projects that often
take more than two biennia to complete, the legislature generally does
not intend to reappropriate funds more than once, particularly for
smaller grant programs, local/community projects, and minor works.
(2) Agencies shall expedite the expenditure of reappropriations and
appropriations in this act in order to: (a) Rehabilitate
infrastructure resources; (b) accelerate environmental rehabilitation
and restoration projects for the improvement of the state's natural
environment; (c) reduce additional costs associated with acquisition
and construction inflationary pressures; and (d) provide additional
employment opportunities associated with capital expenditures.
(3) To the extent feasible, agencies are directed to accelerate
expenditure rates at their current level of permanent employees and
shall use contracted design and construction services wherever
necessary to meet the goals of this section.
NEW SECTION. Sec. 906 FOR THE ARTS COMMISSION--ART WORK
ALLOWANCE POOLING
(1) One-half of one percent of moneys appropriated in this act for
original construction of school plant facilities may be expended for
the purposes of RCW 28A.335.210. The Washington state arts commission
may combine the proceeds from individual projects in order to fund
larger works of art or mobile art displays in consultation with the
superintendent of public instruction and representatives of school
district boards.
(2) One-half of one percent of moneys appropriated in this act for
original construction or any major renovation or remodel work exceeding
two hundred thousand dollars by colleges or universities may be
expended for the purposes of RCW 28B.10.027. The Washington state arts
commission may combine the proceeds from individual projects in order
to fund larger works of art or mobile art displays in consultation with
the board of regents or trustees.
(3) At least eighty-five percent of the moneys spent by the
Washington state arts commission during the 2011-2013 biennium for the
purposes of RCW 28A.335.210, 28B.10.027, and 43.17.200 must be expended
solely for direct acquisition of works of art. The commission may use
up to $100,000 of this amount to conserve or maintain existing pieces
in the state art collection pursuant to chapter 36, Laws of 2005.
NEW SECTION. Sec. 907
(2) Sections 301 through 307 of this act constitute a new chapter
in Title 43 RCW.
NEW SECTION. Sec. 908
NEW SECTION. Sec. 909
Correct the title.
EFFECT: Appropriates $491 million in new state general obligation bonds and $238 million in limited tax obligation bonds backed by the hazardous substance tax. Authorizes the state finance committee to issue general obligation bonds and limited tax obligation bonds to support the new bond appropriations. Removes all bond authorizations and appropriations related to the solid waste tax, public utility tax, and aquatic lands enhancement account.